## West Chadsmoor Family Centre 

## Annual report 20 25 

## **Introduction** 

We have continued to build on our activities through the funding from the national lottery and are now offering more activities than in previous years. This has expanded our reach to the vulnerable families and the support we offer locally. We continue to be busy in our activities and now offer 10.5 sessions a week in 3.5 days. 

## **New staff** 

Our two new staff that joined us in August 2024 are now established in the team. Our family community worker replaced Jacky our previous community worker. Chris our new community worker has established two new groups since arriving. Our new family worker is a young lady just starting out and is learning the role has she goes. 

Our family community worker has become very established and trusted by our families. She works with the families one to one, at the centre, in their homes or out in the community. She is constantly in touch with them on the phone and in person. She has established two new groups since arriving at the centre. A Pam’s group  (peer and mentor support)for the parents who need the most support and this is supported by a crèche to give parents a bit of me time. This has given some very vulnerable families a great deal of support and helped them learn to deal with their challenges. 

Her second group is called ABC and support families with new born babies up to 13months old. The meet as a group and discuss all the topics that new parents have concerns over and the group is then facilitated by Chris. This group just keeps growing and is very popular. It is run at the family hub which makes the family centre visible in the local community. 

## **Activities on Offer** 

We aim to offer a mixture of baby groups, toddler activities, holiday sessions and peep sessions which can be for either babies or toddlers. The peep programme is a relaxed parenting course with a set programme of resources, these help parents understand the needs their child has when developing. 

For the adults we offer education through simple crafts, cooking and sewing. This helps prepare people for further education or work and simply how to learn and the basics of studying. 

Extra to this we have a weekly community table which serves our families and the wider community. On average we have 25 to 30 people queueing for food each week. This equates to around a 100 people per week when you consider most people have an average of four people per household. 



We also have a brunch club on a Monday morning where both the families and the wider community can attend for free breakfast. 

## **Board development** 

Over the twelve month period the board has been going through a period of change and development. The chairperson who had been in post for many years stepped down from her post and a new chairperson was appointed. We had two new people join the board at the previous AGM and we agreed some amendments to our memorandum and articles including time served as an officer and how many meetings could be missed before being removed from the board. 

The board has also being working with Support Staffordshire on developing skills for the work of the board and strategies to help develop a stronger organisation for the future. 

## **Funding** 

We are now in the second year of our Blossom and Flourish lottery project, which, is our main funding pot. We have also secured funding from Awards for all, Children in need, cadent, Baron Davenport. These are smaller pots of money which provide for the smaller projects we have running alongside the lottery project. 

## **Changes** 

The manager has been employed for nearly 30 years and retired at Christmas. A management team has been formed to take the centre forward. A new person has been employed to take the place of the manager and the office co- coordinator; the community table co-ordinator will form a management team. 

## **Conclusion** 

In conclusion it has been a busy year. We are supporting more people than ever due to the economy causing people to struggle more and deal with more complex situations. 

The Family centre itself is going through a period of change and preparing for the future with new management, a stronger board allowing for the centre to be developing for the next steps in its journey. 



Registered number
05485495
West Chadsmoor Family Centre Limited
Report and Accounts
31 March 2025

West Chadsmoor Fainlly Centre Limited
Registered number.
05485493
DlrpGtors' Report
Th8 dIreGiOr￿ pi'esèrit their report and awoullts for th8 yeai, ènded 31 March 2025.
Principal activitles
The company's prinoipal acliv1ly éuring Ihè year conlinuea to be th6 operation of s ¢horitable family
¢&nir6.
Dlretttois
Ths fLTrllowing persons ,8pNed as dir￿101$ dLiring the year.
LCEEvans
J H C MLlnnes
Ecox
A Staples
J Tilley
H Aspbuty
J Prastwaod
S Tliornley
Small company provislons
This report has been prepared in accordanco with the pruvision5 in Parl 15 of the Cumpani8¥ Act
2QO$ applicabltt lo companies subj&ct lo th8 sm811 companies rfjgimEt.
This report wa$ approvod by I,h6 I￿Srd on 11 Oec$mb&r 2025 signed on its behglf.
Ecox
Dir?¢tor

West Chadsmoor Fainlly Cent¥e Limited
Accountants, Report
A¢countaDts' repolt to the directors of
Wosl Chadsm¢)or Family Centre Llinlted
I report on the accaunls of the company for tha year pnded 31 March 2025. which dre %6t out on
pages 310 8.
Respective responslbllities of trusloes and examiner
The Irus19&s (who ¢ir• slso directors of the company for the PLirposes af ¢ompany law) aré
responsible for tha prepaiatian ctf the acmunts IM& trustees consid&r that an audii is not required
for this year uiider section 144(2) UY the Charitlès Ael 2a11 (the 2011 Acl} and Ihal an
iridependeni ex8rnination is needed.
14aving satisfi&d mysokf that tha charity is nol subject to audlt under company12w and i& eligible
for independent &x8mindl.ion, il 1% rhy 1è8pon¥ibilily to.
examine the acr￿Qunts under %eclion 145 Of the 2011 Act,
to ftsllow the procedures Ir4id down in the gengral Directions gFven by the Charity Commlssion
under soction IASC51{bl of Ihè 2011 Act. and
to stat& whelher particular matlBrs hav8 come to my attèntion.
gasis of Iridopendent examlner's report
My o.xamination was ttarried Out in accordaftca wilh lh& g8E)8rai Dirè¢,tions givern by the Chanly
¢ommi85ion. An 8xamin8tion includes a revSew of thè dCCOUMUno records kept by th8 charity and
a wmparison of the aGGuunls presentfjd with Ihosé records, 11 Albts includèsconsideration of any
unissual items or disclosur8of in th& acc￿JnlS, and sB8king &xplanations From you as Iruslee$
concerning any such mattors The prrJeAduf8s und8rl8kèn do nat provida all th8 gvidence that
WOLild b& required in an audit and ron8equonlly no Dplnioii is given 85 lo whÈiher th8 aCCOLini$
prèsenl a'lruo end fair VIGV and the r8PQrt Is limited to those matters set oul in the slalement
below.
Independent examlner's statement
In connection wilh my exam1r￿tiOll, no rrlatt&r hRS Come lo my alt8nliQn.
{1 } which givè$ me reasonablècausa lo balievé that In any material respe¢1 th& I"oquiroments:
to keep accoLmting records in occordance wtlh $ociiOm 386 of th6 CtDmp8nles Act 200&, and10
prepare UCGount$ which accord with thé accouiiting r£Gurds, comply with thè accounlitsg
requiremen15 Of setstlon 396 of the CL)mpantgs Act 2008 und with th8 methods arKI printsiples of
Slalement of F18cammended Praclica.. Accounting 2ncl Reporting by Charitiès havè riot been
met; or
(2} to which, In, niy opinion, ￿ttentIaft should b& driwii in urder Eo onk3blg a proper understanding
af the &ccouiils lo b0 rdached.
L F fhompsan
Thompson Accountancy Limitad
Charlefyd A¢eountanl3
78 Ridgew¢Jod Rise
Tamworth
BT7 3AQ
11 December 202tt

Wp$t Chad$moor Famlly Centre Llmited
Profit and Loss A¢¢ount
for tho year ended 31 March 2025
2Q26
2024
ruriiover
204,051
154,305
Adininislrative expenses
1155,E79)
{138.823y
Operatlng profit
48,372
17,482
Interèst r80&ivable
322
307
Profit bafore taxation
rax on profit
Profjt for thtt ff.nan¢lal yea¥
48,b94
11,789

West Chadsrnoor Family Centre Limlted
Reglsterèd number
0548b495
Balancè Sheet
as at 31 March 2Q25
Notes
2025
2024
Fixed assets
Tangibl8 8¥sets
829
Current assèls
Dotstor5
Ca8h ai bank and in hand
2,507
148,8?.5
149,332
288
101,1b4
101,452
Creditors., amounts fallina duL
wtthln orie yeav
11.727)
(3 1771
Net current assets
147,605
Net assets
147,198
99,104
Reserves
Profit 8nd108s 8CGount
147.798
99,104
'147,798
99.104
Thè olirectora alè satisfied that th6 coiThpatiy is érilitlèd to exemplioii from th& requireingnl to obtain
n a(Idil under ¥ection 47 1 of th& Companies Act 20Q8.
The meimber has not requirtd the company lo obtain an audit in accwdance witli section 476 of thg
Act.
Th6 dir8Ctors acknowl8dg8 Iheir r85ponsibllitigs for Goryiplying with the requirempr¥ts of th#
Coi'npanies Act 2006 wlth rp8PLJttt lo ac¢ouiiting recoidg 8nd tho prep&ration of &ccount5
The a¢ccunl$ have been pfep8red and delivered in acL'Jrdanc8 with Iha special provisions
applicoble lo companies subject lo the $mall uinpanie$ regirne. The Profil and loss accjunt hd5 nol
b8en deliverod to th6 Reoistrar of C¢mp8nle$.
A 4laplg5S
iractor
Approved by the board on 11 D2Ggmber 2025

West Cliadsmoor Famfly Centre Limlted
Notes to the AcGounts
for the year endod 31 March 2025
l Accounting policies
Basis of prèparafion
Th¢ aucounis have bg&n prepar¢d uncler IhÉ hitstorical cost convéntion and in a¢rordanLe wilh
FRS 102., Tha Financial Roporting ,£tand&rd applicable in Ili& UK and R@public of Ir&land las
applied Io small entities by section 1 A of thg sldndardl.
Tanglble lixÈd asset$
Tangible fixed a5sels aro measui'pd at CDSI labs 8CGumulallve deprecialion 8nd any accumul£live
imp¢iirment los$os. Dgpreciation is provided on all tangibl8 fixed assets. olhor than freeliold land,
al raltss ¢alciJlated to write off the ttost,1855 esliryiaied residLIQI valua, of es¢h a%sÈt evenly over its
eXPP,knied ijsgful lit¢. (ollows.
Fixtures and fillirtgs
ovèr S years
DehtDrs
Short torm deblor3 are measurad al Iiansaclion prite (whiGh is usua15y Ihp invoice pricel, 1&5¥ any
imPalrmèn¢ l.ossès for bacf and claiiblful debts. Loans aiid alher financial as&@Is are Iniiially
reL°ognised al transa.ction price includino any transaction Costs and subsequently measurod at
8rftartl8@d cosl tjeterminod usiny Ihg effèctivè inl&r8st method, less Bny impairment108se$ fof bai
and doubtful debls.
Creditor$
Shoil lomi crpdilors 8rè Fne4sui'&d at Iransaclrun price (which Is usually Iha invoi¢etr price}. Loans
end Dlher financial lidbilltiès aro initially re¢ogni8Èd at transaetior( PriG8 not of ¥rny Ir&nsactirJn
co,st5 anti subEgqLiently Ineasured al amortlg&d cost detprmined usinj the eff&ctive int&Y&st
malhod
2 Emplt>yÈes
2025
Numbdr
2024
Number
Av*dg¢ ftumber of p&rson% Èmployèd by thè cdmpany
10
J Tdnyible flxed assets
FFXturè$
flttlngs
Co¥t
At 1 April 2024
At 31 March 2025
4,41D
4,410
Depreclatlon
At 1 Aprll 2024
Charge for tho y&ar
At 31 March 2025
636
4,217

Wèst Chadsmoor Family Centr& Llmlted
Notes to the Accounts
fortheyoar ended 31 March 2026
Net book value
At 31 March 2025
At 37 March 2024
829
4 OobtOf8
2025
2024
Other debtors
2.507
288
S Creditor$: amount6 fallin9 due wlthin onè yoar
2025
%024
Other creditors
1,727
3,171
6 Othèr Inforniation
West Chadsmoor Family C8ntre Lnnited is limited by guarantee dnd does not h8ve a sharÈ
¢apilal. Thffj wmpany is incorporated in E'ngland arid its reglw*lerod offlc8 its,.
98. 100 Princess Stregl
e.had,gmoor
Cannoty,k
Staffs
WSt1 SJT
ThÈ liabilty of the members in tho ovent, of thè tompany being Iiouidated is limited ID Èto por
m&mb&r

West ¢hadsmoor Family Centre Limited
Detalled profit and10ss acLount
for the year ended 31 March 2025
This sch8dule clces no)t lom part of tlye stalurory accc£ints
202.4
2024
Slles
?04,051
154.205
A¢niini.8trativ8 expenses
{155,679)
1138,823>
Operatlng proflt
48.372
17,482
Interest r6celvablo
322
307
Protit before tax
48,694

West Chadsmoor Family L frntrè Limiled
Detsiled profjt and loss account
for thè year ended 31 March 2025
This s¢hedul8 da&s not foi'm part ol the stafutory accounts
2026
2024
Sales
Grants dvnations and fundraising
Ghildren in Need Ireslrlcl8d fundIr￿)
Coalfield8 Reyen&ration l-rust Ireslricted funraing}
Nalitsnol Lol.tery
Awards for All (r8slricted funding)
Greggs Founcjalion Ireslricled fiiriding)
C¢iniiock Ch4sp District Council (ro8trl¢t¢d funding)
18.356
43,842
2.QQQl
128,307
18,746
20,795
5,847
204,Ouf1
4,9¥2
105,671
154,305
Admlnistrative expènses
mployoo costs
Wag¢s and nalional In$uranrie
Pensions
117.736
2.04
119.782
99.277
1.869
101.146
Preiyises r,osts'.
RatÉs and Welter
Lioht 2nd h¢at
Rovm hire
695
2,055
1,310
4,060
631)
1.947
General atlministralive expenbes,
Telephon&
Travol
Slation&ry 8iid poslage
Bank charges
Insurancg
Woilcshops and training
RepaiiB and meintenance
Depraciation
R680urc*s
Comrmunity food SUPPDrt
Petty Lash Snd gun&ry exptnsos
1,487
1.779
1,366
1.606
1,438
134
982
1,425
232
694
4,781
16,681
2.877
638
5,188
12,797
L8U&I and proY85s1onal costs:
AccoLiniancy fe&$
Dther18qal ancf profe.%giontal
515
932
1,447
495
924
1,419
15S,879
136,823

Registered number
05485495
West Chadsmoor Family Centre Limited
Report and Accounts
31 March 2025

West Chadsmoor Fainlly Centre Limited
Registered number.
05485493
DlrpGtors' Report
Th8 dIreGiOr￿ pi'esèrit their report and awoullts for th8 yeai, ènded 31 March 2025.
Principal activitles
The company's prinoipal acliv1ly éuring Ihè year conlinuea to be th6 operation of s ¢horitable family
¢&nir6.
Dlretttois
Ths fLTrllowing persons ,8pNed as dir￿101$ dLiring the year.
LCEEvans
J H C MLlnnes
Ecox
A Staples
J Tilley
H Aspbuty
J Prastwaod
S Tliornley
Small company provislons
This report has been prepared in accordanco with the pruvision5 in Parl 15 of the Cumpani8¥ Act
2QO$ applicabltt lo companies subj&ct lo th8 sm811 companies rfjgimEt.
This report wa$ approvod by I,h6 I￿Srd on 11 Oec$mb&r 2025 signed on its behglf.
Ecox
Dir?¢tor

West Chadsmoor Fainlly Cent¥e Limited
Accountants, Report
A¢countaDts' repolt to the directors of
Wosl Chadsm¢)or Family Centre Llinlted
I report on the accaunls of the company for tha year pnded 31 March 2025. which dre %6t out on
pages 310 8.
Respective responslbllities of trusloes and examiner
The Irus19&s (who ¢ir• slso directors of the company for the PLirposes af ¢ompany law) aré
responsible for tha prepaiatian ctf the acmunts IM& trustees consid&r that an audii is not required
for this year uiider section 144(2) UY the Charitlès Ael 2a11 (the 2011 Acl} and Ihal an
iridependeni ex8rnination is needed.
14aving satisfi&d mysokf that tha charity is nol subject to audlt under company12w and i& eligible
for independent &x8mindl.ion, il 1% rhy 1è8pon¥ibilily to.
examine the acr￿Qunts under %eclion 145 Of the 2011 Act,
to ftsllow the procedures Ir4id down in the gengral Directions gFven by the Charity Commlssion
under soction IASC51{bl of Ihè 2011 Act. and
to stat& whelher particular matlBrs hav8 come to my attèntion.
gasis of Iridopendent examlner's report
My o.xamination was ttarried Out in accordaftca wilh lh& g8E)8rai Dirè¢,tions givern by the Chanly
¢ommi85ion. An 8xamin8tion includes a revSew of thè dCCOUMUno records kept by th8 charity and
a wmparison of the aGGuunls presentfjd with Ihosé records, 11 Albts includèsconsideration of any
unissual items or disclosur8of in th& acc￿JnlS, and sB8king &xplanations From you as Iruslee$
concerning any such mattors The prrJeAduf8s und8rl8kèn do nat provida all th8 gvidence that
WOLild b& required in an audit and ron8equonlly no Dplnioii is given 85 lo whÈiher th8 aCCOLini$
prèsenl a'lruo end fair VIGV and the r8PQrt Is limited to those matters set oul in the slalement
below.
Independent examlner's statement
In connection wilh my exam1r￿tiOll, no rrlatt&r hRS Come lo my alt8nliQn.
{1 } which givè$ me reasonablècausa lo balievé that In any material respe¢1 th& I"oquiroments:
to keep accoLmting records in occordance wtlh $ociiOm 386 of th6 CtDmp8nles Act 200&, and10
prepare UCGount$ which accord with thé accouiiting r£Gurds, comply with thè accounlitsg
requiremen15 Of setstlon 396 of the CL)mpantgs Act 2008 und with th8 methods arKI printsiples of
Slalement of F18cammended Praclica.. Accounting 2ncl Reporting by Charitiès havè riot been
met; or
(2} to which, In, niy opinion, ￿ttentIaft should b& driwii in urder Eo onk3blg a proper understanding
af the &ccouiils lo b0 rdached.
L F fhompsan
Thompson Accountancy Limitad
Charlefyd A¢eountanl3
78 Ridgew¢Jod Rise
Tamworth
BT7 3AQ
11 December 202tt

Wp$t Chad$moor Famlly Centre Llmited
Profit and Loss A¢¢ount
for tho year ended 31 March 2025
2Q26
2024
ruriiover
204,051
154,305
Adininislrative expenses
1155,E79)
{138.823y
Operatlng profit
48,372
17,482
Interèst r80&ivable
322
307
Profit bafore taxation
rax on profit
Profjt for thtt ff.nan¢lal yea¥
48,b94
11,789

West Chadsrnoor Family Centre Limlted
Reglsterèd number
0548b495
Balancè Sheet
as at 31 March 2Q25
Notes
2025
2024
Fixed assets
Tangibl8 8¥sets
829
Current assèls
Dotstor5
Ca8h ai bank and in hand
2,507
148,8?.5
149,332
288
101,1b4
101,452
Creditors., amounts fallina duL
wtthln orie yeav
11.727)
(3 1771
Net current assets
147,605
Net assets
147,198
99,104
Reserves
Profit 8nd108s 8CGount
147.798
99,104
'147,798
99.104
Thè olirectora alè satisfied that th6 coiThpatiy is érilitlèd to exemplioii from th& requireingnl to obtain
n a(Idil under ¥ection 47 1 of th& Companies Act 20Q8.
The meimber has not requirtd the company lo obtain an audit in accwdance witli section 476 of thg
Act.
Th6 dir8Ctors acknowl8dg8 Iheir r85ponsibllitigs for Goryiplying with the requirempr¥ts of th#
Coi'npanies Act 2006 wlth rp8PLJttt lo ac¢ouiiting recoidg 8nd tho prep&ration of &ccount5
The a¢ccunl$ have been pfep8red and delivered in acL'Jrdanc8 with Iha special provisions
applicoble lo companies subject lo the $mall uinpanie$ regirne. The Profil and loss accjunt hd5 nol
b8en deliverod to th6 Reoistrar of C¢mp8nle$.
A 4laplg5S
iractor
Approved by the board on 11 D2Ggmber 2025

West Cliadsmoor Famfly Centre Limlted
Notes to the AcGounts
for the year endod 31 March 2025
l Accounting policies
Basis of prèparafion
Th¢ aucounis have bg&n prepar¢d uncler IhÉ hitstorical cost convéntion and in a¢rordanLe wilh
FRS 102., Tha Financial Roporting ,£tand&rd applicable in Ili& UK and R@public of Ir&land las
applied Io small entities by section 1 A of thg sldndardl.
Tanglble lixÈd asset$
Tangible fixed a5sels aro measui'pd at CDSI labs 8CGumulallve deprecialion 8nd any accumul£live
imp¢iirment los$os. Dgpreciation is provided on all tangibl8 fixed assets. olhor than freeliold land,
al raltss ¢alciJlated to write off the ttost,1855 esliryiaied residLIQI valua, of es¢h a%sÈt evenly over its
eXPP,knied ijsgful lit¢. (ollows.
Fixtures and fillirtgs
ovèr S years
DehtDrs
Short torm deblor3 are measurad al Iiansaclion prite (whiGh is usua15y Ihp invoice pricel, 1&5¥ any
imPalrmèn¢ l.ossès for bacf and claiiblful debts. Loans aiid alher financial as&@Is are Iniiially
reL°ognised al transa.ction price includino any transaction Costs and subsequently measurod at
8rftartl8@d cosl tjeterminod usiny Ihg effèctivè inl&r8st method, less Bny impairment108se$ fof bai
and doubtful debls.
Creditor$
Shoil lomi crpdilors 8rè Fne4sui'&d at Iransaclrun price (which Is usually Iha invoi¢etr price}. Loans
end Dlher financial lidbilltiès aro initially re¢ogni8Èd at transaetior( PriG8 not of ¥rny Ir&nsactirJn
co,st5 anti subEgqLiently Ineasured al amortlg&d cost detprmined usinj the eff&ctive int&Y&st
malhod
2 Emplt>yÈes
2025
Numbdr
2024
Number
Av*dg¢ ftumber of p&rson% Èmployèd by thè cdmpany
10
J Tdnyible flxed assets
FFXturè$
flttlngs
Co¥t
At 1 April 2024
At 31 March 2025
4,41D
4,410
Depreclatlon
At 1 Aprll 2024
Charge for tho y&ar
At 31 March 2025
636
4,217

Wèst Chadsmoor Family Centr& Llmlted
Notes to the Accounts
fortheyoar ended 31 March 2026
Net book value
At 31 March 2025
At 37 March 2024
829
4 OobtOf8
2025
2024
Other debtors
2.507
288
S Creditor$: amount6 fallin9 due wlthin onè yoar
2025
%024
Other creditors
1,727
3,171
6 Othèr Inforniation
West Chadsmoor Family C8ntre Lnnited is limited by guarantee dnd does not h8ve a sharÈ
¢apilal. Thffj wmpany is incorporated in E'ngland arid its reglw*lerod offlc8 its,.
98. 100 Princess Stregl
e.had,gmoor
Cannoty,k
Staffs
WSt1 SJT
ThÈ liabilty of the members in tho ovent, of thè tompany being Iiouidated is limited ID Èto por
m&mb&r

West ¢hadsmoor Family Centre Limited
Detalled profit and10ss acLount
for the year ended 31 March 2025
This sch8dule clces no)t lom part of tlye stalurory accc£ints
202.4
2024
Slles
?04,051
154.205
A¢niini.8trativ8 expenses
{155,679)
1138,823>
Operatlng proflt
48.372
17,482
Interest r6celvablo
322
307
Protit before tax
48,694

West Chadsmoor Family L frntrè Limiled
Detsiled profjt and loss account
for thè year ended 31 March 2025
This s¢hedul8 da&s not foi'm part ol the stafutory accounts
2026
2024
Sales
Grants dvnations and fundraising
Ghildren in Need Ireslrlcl8d fundIr￿)
Coalfield8 Reyen&ration l-rust Ireslricted funraing}
Nalitsnol Lol.tery
Awards for All (r8slricted funding)
Greggs Founcjalion Ireslricled fiiriding)
C¢iniiock Ch4sp District Council (ro8trl¢t¢d funding)
18.356
43,842
2.QQQl
128,307
18,746
20,795
5,847
204,Ouf1
4,9¥2
105,671
154,305
Admlnistrative expènses
mployoo costs
Wag¢s and nalional In$uranrie
Pensions
117.736
2.04
119.782
99.277
1.869
101.146
Preiyises r,osts'.
RatÉs and Welter
Lioht 2nd h¢at
Rovm hire
695
2,055
1,310
4,060
631)
1.947
General atlministralive expenbes,
Telephon&
Travol
Slation&ry 8iid poslage
Bank charges
Insurancg
Woilcshops and training
RepaiiB and meintenance
Depraciation
R680urc*s
Comrmunity food SUPPDrt
Petty Lash Snd gun&ry exptnsos
1,487
1.779
1,366
1.606
1,438
134
982
1,425
232
694
4,781
16,681
2.877
638
5,188
12,797
L8U&I and proY85s1onal costs:
AccoLiniancy fe&$
Dther18qal ancf profe.%giontal
515
932
1,447
495
924
1,419
15S,879
136,823